Twenty-six years ago, in
Ira S. Bushey & Sons, Inc. v. United States,
In Bushey, we applied admiralty law. Today — in a case that again involves a seaman who had too much to drink — we must apply the law of Guam. This, in turn, points us to California decisions for guidance. As it happens, California has taken the lead in developing the modern law of respondeat superior even before Bushey. And, so, rounding out the circle, we now reach the same conclusion as did Judge Friendly, twenty-six years ago.
Although in Bushey the decision that the government was liable under respondeat superior pretty well disposed of all the issues in *1032 the case, a similar conclusion here offers no such closure. Instead, it forces us into that singular tangle of seemingly inconsistent rulings and rationales known as the Feres doctrine. In the end, we conclude that the most sensible reading of Feres and its progeny does not bar this suit. But we would be less than candid if we did not admit that the Feres doctrine has gone off in so many different directions that it is difficult to know precisely what the doctrine means today.
BACKGROUND
The facts are simple enough and not disputed. On the morning of April 13, 1985, Robert S. Maine, (“Maine”) a Navy serviceman on active duty at the U.S. Naval Ship Repair Facility on the island of Guam, went on liberty after having completed a grueling 24 hour duty shift. While on liberty he was free to leave the base as he pleased and travel up to 50 miles away. He could also be recalled for duty at any time.
Maine decided to have a good time. By noon, he was relaxing at an on-base beach party and drinking beer with Navy friends. Later that afternoon, he purchased two six-packs of beer at the base PX with his Navy comrade, Karin Conville (“Conville”), and returned with her to his barracks to drink several more cans. At dinnertime, Maine accompanied Mends to the enlisted men’s club, where he consumed two cocktails with his meal. After dinner, he attended a barracks party in the room of a superior officer, with several other superior officers present. There, Maine drank three or four more beers and — when he left to return to his own barracks at about 11:00 p.m. — Conville and another Navy comrade named Jean Buquet noticed that he seemed to be drunk. At around 11:30 p.m., Maine had difficulty sleeping and decided to drive off base to get something to eat. Feeling tired, he aborted his snack mission and tried to return to base. On the way back, he caused the accident that injured Scott A. Taber (“Taber”).
Taber was an enlisted Seabee — a construction worker in the United States Navy — and was stationed at Camp Covington, Guam. At 6:00 p.m. on Friday, April 12th, he too went on liberty. Accordingly, he was free to go off base at any time, to travel anywhere within 50 miles of his base and, unless he was recalled for duty, to do as he pleased until his liberty ended at 6:00 a.m. on the following Monday.
Around 2:00 p.m. on Saturday April 13, Taber’s civilian Mend, Estelitа Stills (“Stills”), met Taber at his base in her car. They planned to spend the weekend together at her house, which was located off the base. Before going there, however, the two drove to her cousins’ home for dinner at the nearby U.S. Naval Station. There, Taber enjoyed a meal and, as a Mendly gesture in return, helped fix the cousins’ car. Shortly before midnight, Stills and Taber left for Stills’s house and their weekend of rest and recreation. As fate would have it, they never got there. While they were driving on the public roadway toward Stills’s house, Maine crashed into them, injuring Taber severely.
Two years later, Taber started this action for damages under the Federal Tort Claims Act (“FTCA”), 28 U.S.C. §§ 1346(b), 2671, in the United States District Court for the Western District of New York, (David G. Larimer, Judge). Naming both Maine and the United States Government as defendants, Taber complained that he was injured as a result of Maine’s negligent driving and that, because Maine was acting within the scope of his Naval employment when he caused the accident, the government was hable on a theory of respondeat superior. The government moved for summary judgment on the grounds that, as a matter of law, Maine’s conduct fell outside the scope of his military service and that, therefore, the government was not liable for Taber’s injuries.
Taber opposed the government’s motion and cross-moved to amend his complaint. The proposed amended complaint claimed that the government was vicariously hable for the actions of the Navy personnel who ahegedly had neghgently allowed Maine to get drunk and to drive off base. In response, the government argued that the doctrine estabhshed by
Feres v. United States,
The district court agreed with the government in all respects. In his Decision and Order dated December 7,1993, Judge Larimer granted summary judgment to the government because “Maine’s drunk driving incident on April 13, 1985, was not in the line of duty and therefore the United States is not liable under the doctrine of respondeat superior.” He also denied Taber’s motion to amend his complaint holding that these claims would be barred by the Feres doctrine.
The action proceeded against Maine, however. After a bench trial in which Maine appeared pro se, the district court found Maine liable for negligence and assessed Ta-ber’s damages at $300,000. A final judgment was entered and Taber appealed.
In his appeal, Taber presses only his original claim that the government is vicariously liable for Maine’s negligence, and abandons his motion to amend his complaint. He argues that: (1) the district court erred in failing to apply the doctrine of respondeat superior to Maine’s drunk driving; and (2) the Feres doctrine does not bar this claim. We agree with both of Taber’s contentions. Accordingly, we reverse the district court’s judgment and remand the ease for further proceedings.
DISCUSSION
I. Respondeat Superior
The FTCA allows civil actions against the government based on the negligent acts or omissions of its employees,
see
28 U.S.C. § 1346(b), including those of members of the Armed Services who are acting “in the line of duty.” 28 U.S.C. § 2671. The courts have uniformly equated the FTCA’s “line of duty” language with the phrase “scope of employment,” as that concept is defined by the
respondeat superior
law of the jurisdiction in which the accident occurred.
See McHugh v. University of Vermont,
Where the law of Guam is unclear, the Ninth Circuit, serving as Guam’s highest appellate court,
see
48 U.S.C. § 1424-2 (investing the Ninth circuit with
certiorari
jurisdiction to review “all final decisions of the highest court of Guam”), has instructed courts to look to California law for guidance.
Cf. People of the Territory of Guam v. Muna,
Nevertheless, we begin with Guam. We have found only one decision by a court sitting in Guam, which addresses Guam’s law of respondeat superior. See Concepcion, 374 *1034 F.Supp. at 1395. 1 That case held that an off-duty Navy petty officer was not acting in the line of duty when he drove a servicemember to a naval communications station so that the servicemember could make an emergency phone call to his family. Id. at 1393. If Concepcion properly defines Guam’s law of respondeat superior, we would agree with the district court that Taber’s claim must fail, for the links between the tortfeasor’s actions and the government are closer in that case than they are in the case before us. Consequently, the first question that wе must ask is whether Concepcion is controlling today. We think it is not.
The government argues that we should follow
Concepcion
because we should pay particular' attention to the holdings of a federal district judge regarding the law of the jurisdiction in which that federal district court sits. This deference is certainly justified when a district judge — familiar with local law and customs — bases his or her decision on that familiarity.
See Stevens v. Barnard,
It is much less appropriate, however, when the district court does not rely on its “home grown” expertise, but, as in Concepcion, has simply interpreted a statute that, itself, originally comes from another jurisdiction, and has cited only cases from that other jurisdiction in support of its interpretation. Moreover, reliance on the local district court is least likely to be sound when, again as here, there exists a Court of Appeals (the Ninth Circuit), that hears both diversity cases from the state of the statute’s origination (California) and appeals from the local and federal courts of the jurisdiction in which the district court sits (Guam). This is especially so when that appellate court has spoken frequently on the issue.
For these reasons we conclude that
Concepcion,
a rather dated holding of an isolated district court in Guam, which cited a few lower court California eases and no Guam cases in interpreting a statute that is identical to California’s, is a weak guide to Guam law today. A better source of law would seem to be the many California and Ninth Circuit decisions that have given meaning to California’s
respondeat superior
statute,
See, e.g., Mary M. v. City of Los Angeles,
It seems clear to us that California law (and by implication the law of Guam) would hold the government vicariously liable for Maine’s actions. California was one of the first states in the nation to adopt an expansive reading of the respondeat superior doctrine. As early as 1961, commentators noted that California had taken the lead in equating the scope of respondeat superior liability to the traditionally broader coverage mandated by workers’ compensation statutes. Thus, California employers were subject to liability for injuries to third parties caused by the behavior of their employees whenever the employees’ acts “arose out of or in the course of’ their employment relationship. See Guido Calabresi, Some Thoughts on Risk *1035 Distribution and the Law of Torts, 70 Yale L.J. 499, 545 (1961).
This approach to
respondeat superior
is even more evident in numerous California cases decided after
Concepcion
(which inevitably cast doubt on
Concepcion
itself). For example, in
Rodgers v. Kemper Construction Co.,
In finding
respondeat superior
liability, the court stated that “the inquiry should be whether the risk was one ‘that may be fairly regarded as typical of or broadly incidental’ to the enterprise undertaken by the employer.”
Id.
at 619,
where social or recreational pursuits on the employer’s premises after hours are endorsed by the express or implied permission of the employer and are ‘conceivably’ of some benefit to the employer or, even in the absence of proof of benefit, if such activities have become ‘a customary incident of the employment relationship,’ an employee engaged in such pursuits after hours is still acting within the scope of his employment.
Id.
at 620,
In
Rodgers,
the subcontractor “customarily permitted employees to remain on the premises in or about the dry house long after their work shift had ended” and it was also “customary, particularly on Friday evenings, for employees to sit around the dry house after their work shift and talk and drink beer, often ... joined by their supervisors.”
Id.
at 619-20,
Similarly, in
Childers v. Shasta Livestock Auction Yard Inc.,
In addressing Childers’s claim against Shasta, the court made clear that the fact that Childers’s injuries occurred away from the work site did not bar the employer’s vicarious liability for Abbott’s drunk driving. The court said:
respondeat superior liability is properly applied where an employee undertakes activities within his or her scope of employment that cause the employee to become an instrumentality of danger to others even where the danger may manifest itself *1036 at times and locations remote from the ordinary workplace.
Id.
at 804-05,
Consistently with these eases, the Ninth Circuit has, itself, read California’s law of
respondeat superior
broadly.
See Liu,
The district court below tried to distinguish these authorities on the ground that the drinking in Rodgers and Childers took place at the work site while Maine’s supposedly did not. We disagree. The drinking in both Rodgers and Childers occurred at work-site rest areas (the “dry house” and the business office, respectively) — not on the assembly line. Similarly, although Maine did not drink while working at the Naval Ship Repair Facility, he drank at an on-base beach party, at the enlisted men’s club, and in the barracks — all of which were located on his base. These places were as much on-site rest areas as the ones involved in both Rodgers and Childers. 3
The government understandably seeks to rely on an older conception of
respondeat superior.
This view of the doctrine required a close link between the acts of the “agent” and “profit” accruing to the master before vicarious liability attachеs to the latter.
See
Restatement (Second) of Agency § 228 (1984). But today this position is in hasty retreat, if not rout. Thus
Rodgers
and
Childers
held that the employer-benefit requirement is met whenever broad potential effects on morale and customer relations exist, or where the employer has implicitly permitted or endorsed the recreational practices that led to the harm.
See Rodgers, 50
Cal.App.3d at 618-21,
Of course drinking by servicemembers can be viewed as important to military morale, just as drinking was apparently instrumental to good employee morale and customer relations in Rodgers and Childers. Hence, “employer-benefit” can be adduced in all these cases. But in the end, “employer-benefit” is significant only because it is one way of showing that the harm that drinking causes can properly be considered a cost of the employer’s enterprise.
California courts have said that the doctrine of
respondeat superior
is
“concerned with the allocation of the cost of industrial
injury.”
Childers,
Here, it is undisputed that drinking on base during off-duty hours was a commonplace, if not an officially condoned activity. It certainly was a customary incident of Maine’s employment relationship with the Navy, as that element is described in
Rodgers. See
As the leading Torts treatise has put it, “the integrating principle” of
respondeat superior
is “that the employer should be liable for those faults that may be fairly regarded as risks of his business, whether they are committed in furthering it or not.” Fowler V. Harper, Fleming James, Jr. & Oscar S. Gray,
The Law of Torts
§ 26.8 (2d ed., 1986) [hereinafter, “Harper & James”]. Judge Friendly made the same point most elegantly in
Bushey.
“The proclivity of seamen to find solicitude by copious resort to the bottle,” he wrote, “has been noted in opinions too numerous to warrant citation. Once all this is granted, it is immaterial that [the eoastguardsman’s] precise action was not to be foreseen.”
We believe the law of Guam reaches the same conclusion. Accordingly, we hold that the government is vicariously liable for Maine’s conduct.
II. The Feres Doctrine
Unfortunately, this does not end our analysis. Although the government may be responsible for Maine’s actions under respon-deat superior, it may not be liable to Taber because of the Feres doctrine. The district court did not reach this issue since it held that thе government was not vicariously liable in the first place. It did, however, conduct a Feres analysis of the proposed claims contained in Taber’s cross-motion to amend his complaint. The court concluded that these claims, which sought to impose liability upon the government for the actions of Navy personnel other than Maine, were barred by the Feres doctrine.
It is not clear whether the district judge would have also ruled that the Feres doctrine barred Taber’s original claim based on Maine’s conduct. In denying Taber’s cross-motion to amend his complaint on Feres grounds, the district court emphasized the nature of the relationship between the allegedly negligent Navy personnel (i.e., the injurers) and the government. The district court did not focus on the nature of the *1038 relationship between Taber (i.e., the plaintiff) and the government at the time of his injury — a consideration that is, in almost all cases, of much greater relevance to the Feres analysis.
A fair reading of the district judge’s opinion suggests, however, that he would have concluded that Feres also barred Taber’s current suit, although we cannot be sure. In any event, rather than remanding the case to the district court for further consideration on this point, we choose to address the Feres question directly. We do this because both parties have briefed and argued Feres at length, and because we believe we should try to clarify what has become an extremely confused and confusing area of law. 5
A. The History of Feres
The
Feres
doctrine started lucidly enough as a rule that barred servicemember’s claims under the FTCA for injuries that “arise out of or are [sustained] in the course of activity incident to service.”
Feres,
Then, as now, civilian workers’ compensation statutes typically barred tort suits by employees against their employers for injuries arising out of or in the course of employment. See Harper & James § 11.2 (“The compensation under these [state and federal] acts is usually the exclusive remedy of the employee and dependents against the employer, in lieu of any amounts that might otherwise have been recovered in a lawsuit for injuries covered by the acts.”); Arthur Larson & Lex K. Larson, The Law of Workermen’s Compensation, § 65.30 (1994) [hereinafter “Larson on Workmen’s Compensation”]. It must have seemed reasonable to the Supreme Court to treat military employees in a similar manner. After all, treating like cases alike is the great engine of the law.
That such a reading of the FTCA was exceedingly willful, and flew directly in the face of a relatively recent statute’s language and legislative history,
see generally, United States v. Johnson,
It may occasionally be desirable for courts to invite legislatures to reconsider outdated statutes so that, unless the legislatures make clear their continued preference for disparate treatment, like eases may be treated alike.
See generally,
Guido Calabresi, A Common Law for the Age of Statutes (1982). Although apparently this was precisely what the Court was doing in
Feres,
its willingness to ignore language, history, and the process of incremental law making (not to mention possible ways of dialoguing with Congress to discern the legislature’s actual intent) was nevertheless remarkable. In any event, none of these considerations seemed to matter to the Court which seemingly concluded that the federal “systems of simple, certain and uniform compensation for injuries or death in the armed services,”
Feres,
Despite its willful and arguably misguided origins,
Feres
would have been both easy enough to understand and to follow had it actually been applied to all servicemembers who benefited from the “simple, certain, and uniform [system of government] compensation.” Later courts might have taken comfort in Congress’ apparent acquiescence in the Supreme Court’s construction of the FTCA
see Johnson,
Instead
Feres
quickly lurched toward incoherence. Part of the problem lay with
Brooks v. United States,
But the plaintiffs in
Brooks
were eligible for precisely the same set of government benefits as were the plaintiffs in
Feres,
and indeed they originally collected them in addition to receiving their FTCA awards.
See Brooks,
But
Feres
neither overruled
Brooks,
nor limited
Brooks
to its immediate facts. Indeed, the Supreme Court and several circuit courts (without reproof from the Supreme Court), have subsequently applied
Brooks
rather than
Feres,
and allowed FTCA claims in a significant number of cases in which the injured plaintiffs were fully covered by the government’s compensation scheme.
See e.g. United States v. Brown,
Had the decision in Feres offered any other rationale that provided guidance in determining which cases should follow its own holding as opposed to Brooks, this split in authority would not have been problematic. Unfortunately, it did not.
Feres
did mention two other reasons for its holding, besides the statutory benefits rationale. But neither of them was particularly helpful. First, the Court concluded that government liability in a case like
Feres
was not analogous to any liability of a “private individual” and, hence, was not permitted by the FTCA.
See
The Court’s second rationale in
Feres
was that all military personnel should be subject to a uniform rule governing compensation for injuries sustained while in the service.
See Feres,
Although this uniformity rationale was intelligible, it neither explained Feres’s bar on tort suits nor accounted for the holding in Brooks. After all, if the impetus for Feres was the idea that all FTCA claims by military personnel should be controlled by a uniform federal law, then one would not have expected Feres to bar all such claims without discussion. It would have been just as plausible for the Court to have begun developing a uniform federal common law of torts— analogous, say, to admiralty — that would be applied to military claims and that would subsequently be articulated on a case-by-case basis by the lower courts.
Instead,
Feres
did preclude FTCA suits by military personnel, and further suggested that the government compensation system
was
the applicable uniform federal remedy.
See
Given the absence of any seemingly consistent rationale in Feres itself, it is not surprising that the Court soon developed a new, after-the-fact explanation for its holding. In United States v. Brown, the Court recharacterized Feres and said:
The peculiar and special relationship of the soldier to his superiors, the effects of the maintenance of such suits on discipline, and the extreme results that obtain if suits under the Tort Claims Act were allowed for the negligent acts committed in the course of military duty led [us] to read the Act as excluding claims of this character.
Brown,
With this new spin, the Court interpreted Feres to preclude some, but not all, actions in order to keep courts from second guessing military policies and to prevent their likely interference with military discipline. This explanation had two advantages.
First, it seemed to justify a distinction between
Brooks
and
Feres.
As the Court had already noted in
Feres,
“Brooks’ father, riding in the same ear recovered for his injuries_”
Second, by linking Feres to discipline the Court tied into a line of influential scholarship, emerging at the time, that offered both an explanation and justification (albeit retrospective) for its otherwise extraordinarily willful refusal to follow the language and probable intent of the FTCA. Professors Alexander Bickel and Harry Wellington, for example, in a celebrated article, argued that federal courts are justified in refusing to comply with federal laws that apparently require them to behave in ways that are so inappropriate for judicial bodies as to raise structural constitutional questions. See, Alexander M. Bickel & Harry H. Wellington, Legislative Purpose and the Judicial Process: The Lincoln Mills Case, 71 Harv. L.Rev. 1 (1957). They contended that in such situations courts shоuld find ways to avoid acting, even if such avoidance involves tortured statutory construction. Only if Congress expressly requires them to do so should courts act in such eases. Even then, it is preferable that Congress make its will known after the courts have given warning of the constitutional dangers at stake. 7
In later writings, Professor Bickel, in particular, developed this theme further.
See, e.g.,
Alexander M. Bickel, The Least Dangerous Branch (2d ed. 1986); Alexander M. Bickel,
The Passive Virtues,
75 Harv.L.Rev. 40 (1961). The importance of his approach, both in this country and abroad, is obvious.
See, e.g., Greene v. McElroy,
Interfering with military discipline and second-guessing military policy are two activities that fit comfortably in a list of things that courts should try to avoid doing if at all possible. Perhaps for this reason, or perhaps for the want of any other seemingly coherent explanation, the “disciplinary” reading of
Feres
took hold and in time became dominant.
See United States v. Shearer,
B. The Current Quandary
Unfortunately, the emphasis on discipline led the circuit courts — and perhaps the Supreme Court itself — onto a path that they were ultimately unwilling to follow. Because key questions of military discipline often seem to involve the government’s control of the tortfeasor rather than the victim, the Feres analysis over time, came to focus as much on the relationship between the military and the injurer as it did on the relationship between the military and the injured plaintijf. This view of discipline is evident, if not necessarily determinative, in case after case in which courts found a Feres bar. 8
But any discipline rationale that focuses on the relationship of the tortfeasor to the government has a fundamental flaw — namely, that the same acts, by the same injurer, in the same disciplinary relationship to the government, lead without question, to government FTCA liability when the victim is a civilian.
See Johnson,
In
Johnson,
the victim was a Coast Guard helicopter pilot on a rescue mission and was killed due to a radar mishap for which the Federal Aviation Administration was responsible.
Id.
at 683,
On appeal, the Supreme Court could have found that the facts raised significant discipline questions involving the decedent-servicemember and the government. It could then have held that these by then perfectly acceptable
Feres
grounds barred the suit. Or it could have followed Justice Scalia, who in an extraordinarily powerful dissent, argued against extending
Feres
to eases in which the injurer was not in the military.
Id.
at 692-708,
The
Feres
doctrine, the court said in
Johnson,
did not depend on discipline alone. It rested, rather, on three grounds — the desirability of a uniform federal rule, the existence of the federal compensation scheme, and concerns for militaiy discipline.
Id.
at 689-91,
Because the lower courts have found the rationales other than discipline extremely difficult to apply in a coherent manner,
see e.g. Elliott v. United States,
It seems to us that there are two ways in which the
Feres
doctrine can be dealt with today. They would both lead to the same result in this case. The first approach would be to agree with Justice Sealia’s dissent in
Johnson
and to admit that
Feres
is a mistake — was perhaps always a mistake — and should be scrapped. That option is, of course, not open to us.
10
After all, this case does not present one of those exceedingly rare situations in which a lower court can so clearly foresee that the Supreme Court will
*1044
reverse itself that it can ignore a Supreme Court precedent.
See Barnette v. W. Va. State Bd. of Educ.,
The second possibility is to go back to the Feres and Brooks cases and see whether, taken together, these decisions provide a consistent thread оf meaning that we can use to sew up the holes that exist in the doctrine today. If such a meaning exists, and if that meaning is consistent with the three “factors” enumerated in Johnson, then these factors can function as guideposts for the lower courts — rather than serve merely as ritual words to be announced, formulaically and ex cathedra, after a court has decided to apply or to eschew Feres on some other ground. We think such a reading is possible and that it results in a workable doctrine. 11
C. Rationalizing Brooks and Feres
First came
Brooks,
which, despite the existence of a federal statutory scheme of military death and disability benefits, permitted members of the armed services to recover under the FTCA so long as their “injuries [were] not caused by their service except in the sense that all human events depend upon what has already transpired.”
Brooks,
There is a fundamental difference between the government’s compensation scheme for its military “employees” and workers’ compensation laws. The government’s compensation scheme is not limited to compensating military “employees” who are injured in ways that “arise out of or in the scope of employment.” It covers servicemembers’ injuries, as well as diseases, that are completely unrelated to the military enterprise. See, e.g., 38 C.F.R. § 3.1(m) (regulation defining “in line of duty” coverage as coverage for “injury or disease incurred or aggravated during a period of active military, naval, or air service unless such injury or disease was a result of the veteran’s own willful misconduct.”). Workers’ compensation laws, instead, only compensate employees for injuries that arise out of or in the course of their employment. And under these laws, it is only this limited class of injuries that give rise to a Feres-like prohibition of suits by employees against their employers.
A helpful way of understanding the significance of this difference is to consider the military’s death and disability benefits as essentially two different plans combined into one statutory scheme. The first component is analogous to a workers’ compensation system, and covers military employees who are injured in ways that arise out of or in the scope of their employment. The second component is like a supplemental health and disability plan that an employer voluntarily provides to its employees. This latter “plan” covers “employees” regardless of how or when they are injured, and, specifically, whether or not the injury arises out of the employer’s enterprise. 12
*1045 No one has ever imagined that the existence of a voluntary benefits plan for private employees means that such employees, if they should be injured outside the scope of their employment (but in ways covered by the voluntary plan), may not sue their employers in tort. 13 Since the compensation provided under such voluntary plans is not a function of workers’ compensation laws (because the injuries are not work related), tort actions are not barred. 14
Brooks and Feres make the same distinction. Feres bars suits where compensation is given under a military analogue to workers’ compensation. Brooks allows suits when compensation occurs, for non-work related injuries, ie., those that would not be covered by workers’ compensation. Read this way, Brooks, Feres and their respective progeny are not only substantially consistent with each other, but they also achieve a rough parity with workers’ compensation laws. That is, thus understood, they accomplish the very result that the Court sought in Feres.
Whether this desire to make the FTCA conform with workers’ compensation laws was wise, and whether, in any event, it was too willful is, of course, not for us to say. Similarly, it is not for us to say whether Feres, even if wise and appropriate when decided, yields appropriate or sensible results today. We can note, however, that both the military and the workers’ compensation schemes have fallen significantly out of line with ordinary tort recoveries 15 and, thus treat injured employees unlike other injured parties. We can speculate on whether this fact undermines the original intent of such laws to treat injured employees at least as well as other injured parties. See, e.g., Andrea Giampetro-Meyer & Ann M. Balcerzak, Renegotiating the Bargain: An Analysis and Evaluation of Alternatives for Revising the Exclusive Remedy Provision in Maryland’s Workers’ Compensation Act, 21 U.Balt.L.Rev. 51, 54-55 (1991) (noting that workers’ compensation laws were enacted in response to employee-obstacles to recovery for job-related injuries) (hereinafter, “Renegotiating the Bargain ”); Prosser & Keeton, § 80 at 572-74 (brief history of workers’ compensation legislation). Finally, we may notice that the increasing difference in tort and workers’ compensation recoveries has led many state courts to find creative (and perhaps wilful) ways around the traditional statutory bar on employee-employer lawsuits. Notably, if this judicial trend toward permitting employee “end-runs” around the workеrs’ compensation laws continues, see generally, Renegotiating the Bargain, 21 U.Balt.L.Rev. at 57-58; Brad A. Elward, Comment, The Interplay Between Contribution and Workers’ Compensation in Illinois: Putting An End to Backdoor Recoveries, 13 S.Ill.U.L.J. 103 (1988), civilian employees will receive greater benefits under porous state statutory schemes than will military employees under the Feres doctrine that ironically, itself, had stretched the FTCA in order to achieve rough parity between military and civilian employees. 16
*1046
But such considerations, if they are relevant at all, are for the Supreme Court to ponder. For us it is enough to say that the
Feres
doctrine remains the law, and that the distinction between
Feres, Brooks,
and the decisions that followed each, can be understood in the light of Feres’s original objectives. Viewed in this way, the distinction becomes an effective guide for district courts adjudicating these types of eases. This distinction, moreover, withstands the after-added factor of military discipline. When used with appropriate moderation,
see Johnson,
D. The Role of Discipline
Even if Feres were not justified by a desire to emulate workers’ compensation laws in the military context, we believe that the doctrine could still find a basis in the prudential grounds raised by Professors Bickel and Wellington. In other words, some FTCA suits by military personnel would still be barred because their prosecution would lead to significant judicial interference in military decisions. But what is “significant interference?” In answering this question we must revisit the distinction between discipline issues affecting the injurer and discipline issues affecting the injured military-plaintiff.
Considerations of military discipline that stem from the relationship between the injured servicemember and the military would, at first glance, appear to be quite significant. These types of situations frequently raise issues that many feel the courts should best avoid, such as
[t]he peculiar and special relationship of the soldier to his superiors, the effects of the maintenance of suits on discipline, and the extreme results that might obtain if suits under the Tort Claims Act were allowed for negligent orders given or negligent acts committed in the course of military duty.
Brown,
But in fact, examining a claim’s “disciplinary” ramifications as a separate
Feres
factor usually does not add very much. It is like adding a handkerchief to a blanket. As a practical matter, in most such cases the military plaintiff would be barred from suing anyway because any claims that raise disciplinary issues relating to the plaintiff almost always fit within the classic workers’ compensation paradigm — that is, they arise out of or in the course of the claimant’s military employment. In other words, Feres’s bar on claims “aris[ing] out of or in the course of activity incident to service,”
The disciplinary relationship between the government and the injurer is very different. Most of the time it is immaterial for three reasons: the holding in Johnson; the fact *1047 that Feres does not bar civilian plaintiffs; and the nature of tort damage awards.
The first reason is clearly not dispositive. It neither supports nor undermines a
Feres
bar, but rather simply points out that the relationship between the injurer and the defendant is not an essential part of the
Feres
analysis.
Johnson
tells us that the
Feres
doctrine can bar a servicemember’s claim even if the injurer is not a military employee and, thus, no issues of discipline exist as to the injurer.
See Johnson,
One might conclude from this that the military-injurer discipline relationship is irrelevant to Feres. But since all Johnson actually says is that a Feres bar may exist absent a military-injurer, the most that it can mean is that a discipline relationship between the military and the injurer is not a necessary condition for Feres to apply. Johnson obviously does not mean that the existence of such a strong discipline relationship could never justify a Feres result.
The second reason is more compelling.
Feres
does not bar suits against the government when the injured plaintiff is a civilian. This remains the case even though the injurer
is
in the military and military discipline is directly involved.
See e.g. Sheridan v. United States,
Accordingly, in any number of civilian cases, the alleged judicial inquiry into (and interference with) military affairs, occurs anyway. And if this interference occurs regularly in any event, it cannot possibly raise the constitutional concerns that warrant tоrtured statutory construction and judicial abstention. Since this type of alleged interference is part and parcel of ordinary court behavior when the plaintiff is not in the military, it is hard to argue that such routine judicial inquiry must be avoided at all costs simply because plaintiff is in the military.
The third and final reason is equally strong. It is difficult to see how FTCA damage awards can, except in the rarest of cases, interfere with a disciplinary relationship between the government and the military tortfeasor. The issue in these cases is typically not whether the military is permitted to do certain things. It is, instead, whether a member of the armed services has behaved negligently or otherwise wrongfully. If that employee committed a tort — did something that if done by a civilian would give rise to liability — and the act was in the scope of government employment, the government is prima facie liable unless something about the injured plaintiff — like military ties — bars liability. If the government is liable the government is held to pay damages. But paying damages does not mean that the military is told by a court that it *1048 must do things differently, or even that it must take steps to control its employees.
Injunctions and regulations tell people what they must do and what they must not do, and it is these types of intrusions that would entangle courts in military affairs. Tort judgments do neither of these things. Of course, the military or other agencies of government may themselves decide to alter some forms of military behavior as a result of a damage award. But that decision, that interference, is not the court’s. Pursuant to the FTCA, courts merely determine whether analogous behavior by a private-sector employee would give rise to some form of fault-based vicarious liability on the part of a private-sector emplоyer. And under the FTCA, courts simply hold that similar harms done by military employees of the government are compensable costs of the military enterprise. Whether or not a particular cost is worth incurring is a decision that the military must make. The dynamics of that subsequent decision, moreover, hardly give rise to the prudential concerns regarding the constitutional separation of powers and the integrity of Article III courts that properly worried Bickel and Wellington. See Lincoln Mills supra.
From all of this, one might expect that disciplinary considerations regarding the injurer’s military relationship to the government are usually ignored in
Feres
cases. Instead, many courts — perhaps misled by the Supreme Court’s temporary preoccupation with discipline — have examined the military relationship ostensibly to avoid judicial interference in military matters. Indeed, our own prior decisions have, at times, engaged in just such an analysis.
See e.g. Sanchez v. United States,
In all these eases, however, there were other grounds that justified a
Feres
bar— apart from any discipline relationship between the government and injurer. Either the first two
Feres
factors or, at times, a crucial discipline relationship between the injured plaintiff and the military, were present and sufficiently explained why
Feres
applied.
See Sanchez,
Still, there are some very rare cases in which injurer discipline is crucial, and Feres, as it has developed, has left room for them. The doctrine provides a safeguard against the odd case in which truly significant issues of discipline are at stake, and in which, for unusual reasons, the other factors do not result in a Feres bar. In such rare and remarkable cases a discipline relationship, whether between the government and the plaintiff or even between the government and the injurer, is by itself enough to warrant a Feres bar.
In
Shearer
the Supreme Court applied
Feres
to bar a mother’s FTCA suit for the kidnapping and murder of her son, an off-duty soldier who was off base at the time of his abduction.
See
*1049 [t]hat to permit this type of suit would mean that commanding officers would have to stand prepared to convince a civilian court of the wisdom of a wide range of military and disciplinary decisions; for example, whеther to overlook a particular incident or episode, whether to discharge a serviceman, and whether and how to place restraints on a soldier’s off-base conduct.
Id,
Significantly, the Supreme Court specifically distinguished “the negligence alleged in the operation of a vehicle” from the type of claim that gave rise to the serious disciplinary issues that concerned it in Shearer. Id. Thus Shearer seems properly to represent the rare case that warrants a free standing “disciplinary” basis for a Feres bar. As such, it correctly defined itself as the exception rather than the rule. 18
We do not doubt that “safeguarding the integrity of military discipline” can be an appropriate basis for justifying, or at least rationalizing, the Court’s construction of the FTCA in Feres. And if the Supreme Court had stuck to its guns after Shearer, and continued to exclude all other factors, we would have been quite “disciplined” in our subsequent approach. But after Johnson, which reaffirmed the desirability of a uniform federal rule and the existence of a statutory compensation system as proper Feres considerations, we feel more at liberty to examine the relative importance of each factor and the necessary interplay between them. That examination reveals that discipline considerations, crucial as they may be, need not play an independent role in the majority of cases. Where discipline issues involve the plaintiff and the military, their demands are usually already met by complying with the other factors. Where the discipline issues involve the injurer and the military, they are only relevant in the extreme case, like Shearer, as Shearer itself suggests.
E. An Appropriate Test for Applying Feres
Under
Brooks, Feres, Stencel, Shearer,
and
Johnson,
an appropriate test for applying the
Feres
doctrine must respect: (1) the Supreme Court’s stated concern for keeping courts away from delicate questions involving military discipline; (2) Feres’s clear intention to replace the contingencies of local tort law with a uniform federal scheme; and (3) Feres’s original desire that this uniformity is to be achieved through exclusive recourse to the federal system of military death and disability benefits. We believe that these concerns are, in fact, fully captured by the original language in
Feres
that barred suits by military claimants for all injuries “aris[ing] out of or in the course of activity incident to service.”
As we have noted, this language derives from a familiar phrase (“arising out of or in the course of employment”), which has a well defined meaning in the context of workers’ compensation. This definition, moreover, is closely related to the scope of the government’s vicarious liability — since workers’ compensation and
respondeat superior
are both concerned with charging costs to the business enterprise that can be fairly said to engender them.
See Childers,
Because
Feres
bars a claim for injuries that “arise out of or in the course of activity incident to service,”
Feres,
F. Taber and Feres
In the case before us, we hold that the link between Taber’s activity when he was injured and his military status is too frail to support a Feres bar. Put another way, given the circumstances surrounding Taber’s collision with Maine, it is hard to imagine that the government would have been vicariously liable if Taber had driven negligently and injured a third party. If Maine’s actions fit the traditional pattern of a “detour,” which gives rise to employer liability even where the employee’s activity does not directly benefit the employer, so Taber’s actions represent the classic “frolic,” which describes behavior that is not properly part of the employer’s enterprise. See Prosser & Keeton, § 70 at 503-05; Young B. Smith, Frolic and Detour, 23 Col.L.Rev. 444, 716 (1923).
*1051 There is nothing characteristically military about an employee who, alter working-hours are done, goes off to spend a romantic weekend with a companion. Nor is there anything particularly military about having dinner with that companion’s family at their home, and helping to fix their car. Finally, there is nothing especially military about returning to the companion’s house intending to spend the rest of the weekend engaged in more intimate rest and recreation.
The accident that followed, on the open road and on the way to Stills’s house had “nothing to do with” Taber’s military career and was “not caused by service except in the sense that all human events depend upon what has already transpired.” See
Brooks,
In
Kohn,
In
Bozeman,
the claimant asked us to rule that because the deceased servicemember was off duty, on liberty and off base when he was killed in an auto accident,
Feres
was inapplicable.
See
In
Sanchez v. United States,
was not open to the public but only to military personnel and certain civilians connected with the base, in recognition of the fact that “[t]he automobile plays a *1052 highly vital role in the life of the military patron and his of her family.”
Id. at 637 (citation omitted).
Although we think the facts in Sanchez are at the very fringe of the doctrine’s applicability — beyond which we are unwilling to go— we note that the plaintiffs connection to the mechanic’s shop was an important incident of his military service. Thus it contributed to our invocation of the Feres bar in that case.
We acknowledge, however, that there is an underlying tension between our reasoning in both
Bozeman
and
Sanchez III
and the scope-of-employment test that we have used in deciding this case. In
Bozeman,
we supported our application of the
Feres
bar, in part, by invoking tortfeasor-related disciplinary considerations.
See
We reaffirmed this aspect of
Bozeman’s
holding in
Sanchez III, se
It is important to note, though, that our focus on tortfeasor-related discipline in both
Bozeman
and
Sanchez III
stemmed primarily from the particular theories of liability that the plaintiffs asserted in those cases. The plaintiff in
Bozeman
alleged that the NCO bartender negligently served the drunken driver of the car in which Bozeman was killed.
See
The present case is critically different. Taber sued the government on a respondeat superior theory that was based solely upon Maine’s drunk driving. The government did not originally raise a Feres defense to this claim. In fact, the government contended only that Maine was acting outside the scope of his Naval employment when he caused the accident. It was not until Taber tried to amend his complaint to include Boze-man-like negligence charges stemming from the alleged negligence of certain Navy personnel who permitted Maine to get drunk and drive off base that the government argued a Feres bar.
The district court, on
Feres
grounds, denied Taber’s motion to amend his complaint, and Taber has abandoned those claims on appeal. Thus, the tortfeasor-related discipline issues that concerned us in
Bozeman
and
Sanchez III
are simply not present here. Instead, in this case, the government’s liability turns on the question of whether
Maine
was negligent in driving while he was intoxicated.
See Shearer,
*1053 As stated above, we believe that — short of a Shearer-Yike scenario — the disciplinary relationship between the government and a military tortfeasor is usually irrelevant in determining whether Feres should bar a particular claim. And were a subsequent panel of this court empowered to readjust prior holdings like Bozeman and Sanchez III that suggest otherwise, we would be tempted to do so here. But, appropriately, only when we sit in banc do we have license to abandon our past decisions. In any event, we need not and do not do so in deciding this appeal.
Other than the naked fact that Taber was in the Navy at the time of his injury, there is no government/plaintiff relationship of any significance in this case. Arguably, there is some government/tortfeasor relationship that might entail minimal disciplinary concerns even in this case, but these are both qualitatively and quantitatively different from those that concerned us in Bozeman and Sanchez III, let alone those that troubled the Supreme Court in Shearer. And we conclude that the absence of any governmenVplaintiff disciplinary issues, together with the fact that Taber’s injury occurred in a private car, on an open road and while Taber was on liberty, outweighs whatever significance the negligible presencе of a government/tortfea-sor relationship might still have after Johnson.
It is true that Taber is covered by the government compensation system as were the plaintiffs in
Brooks
and in
Brown.
But as in those cases, Taber’s coverage is akin to voluntary employee health and injury benefits that accrue independently of the nature of an employee’s injury. As such, they are very different from the type of coverage that is required under workers’ compensation schemes. Therefore, as in
Brooks
and
Brown,
this type of voluntary coverage will merely serve as a set-off against any FTCA award; it does not bar an FTCA action.
See Brown,
For all these reasons, we hold that Feres does not apply here.
III. Liability and Damages
The district court found Maine liable to Taber and assessed damages in the amount of $300,000.00. The government, having been exempted from liability under the district court’s respondeat superior decision, did not participate at trial and had no opportunity to contest these findings. Maine represented himself in these proceedings. At oral argument, the government’s very able attorney requested that, should we determine that the government was vicariously responsible for Maine’s actions, and that Taber’s suit was not barred by Feres, we vacate that judgment and permit the government to contest both Maine’s culpability and Taber’s damages.
The government’s request apparently stems from its concern that, upon remand, it will be collaterally estopped from disputing either Maine’s negligence (on the basis of which the government’s liability depends) or the district court’s previous calculation of damages. The government undoubtedly raises important questions. None of them, however, has been fully briefed or argued by the parties. We therefore leave entirely to the district court what, if any, preclusivе effect the judgment against Maine will have on the government’s defense against Taber’s assertion of liability under the FTCA.
We further note that Taber currently holds a valid judgment against Maine, from which Maine has not appealed. Had Maine sought review of that judgment, we might have considered whether the Federal Employees Liability Reform and Tort Compensation Act, 28 U.S.C. § 2679 (providing a statutory immunity for federal employees whose employment-related conduct injures others), shielded him from personal liability. Although Maine was not certified by the Attorney General to have been acting within the scope of his employment in accordance with § 2679(d)(1), subparagraph (d)(3) provides that where the Attorney general has failed to certify,
the employee may at any time before trial petition the court to find and certify that the employee was acting within the scope of his office or employment ... [and that upon] such certification by the court, such *1054 action ... shall be deemed to be an action ... against the United States ..and the United States shall be substituted as the party defendant.
28 U.S.C. § 2679(d)(3). In opposition to the government’s motion for summary judgment, Maine did submit an affidavit which set forth the undisputed facts upon which we base our present ruling that he acted within the scope of his employment when he injured Taber.
We have previously suggested that substantial compliance with section 2679’s procedural conditions may, under certain circumstances, invoke the statutory immunity.
See B & A Marine Co. v. American Foreign Shipping Co.,
CONCLUSION
For the reasons stated above, we reverse the district court’s judgment and remand the case to the district court for further proceedings consistent with this opinion.
Notes
. We have found two older cases in which the Ninth Circuit addressed Guam's law of vicarious liability, in the light of California decisions.
See Williams,
. Typically, California courts borrowed this rule from workers’ compensation cases. “Under the 1)0111(110086 rule,' an employee who lives on his employer’s premises may be acting in the scope of his employment even while engaged in leisure pursuits of an off-duty day provided the employee is making a reasonable use of the employer’s premises.”
Rodgers,
. In fact, this case presents an even stronger factual basis for applying respondeat superior than did either Rodgers or Childers. As the Ninth Circuit observed in a case that held the Government vicariously liable for an off-duty serviceman’s failure to control his pet dog:
Military housing presents a unique situation. Unlike employees and residents of cities and towns, the employment relationship of residents of military bases continues even during off-duty, at home hours.
Lutz v. United States,
. We make no pronouncement on drunkenness in general. Our point here is simply that drinking
on base
during off-duty hours was a customary incident of Maine's employment relationship with the Navy. This "on-base” drinking included an on-base beach party, cocktails at the enlisted personnel club, and drinking at a barracks party in the room of a superior officer, all on the day of the off-base accident. It is these on-base activities that bring this case within the ambit of
Rodgers
and
Childers,
and therefore impose
re-spondeat superior
liability on the government. We find instructive the example offered by Judge Friendly, albeit in an admiralty context in
Bushey,
indicating that employer liability would not be imposed for an off-base tort resulting from drinking at an
off-base
bar. Like Judge Friendly, we would not deem such an activity incident to the employment relationship.
See Bushey,
. For example, in
Elliott v. United States,
.
See
Paul C. Weiler,
Workers’ Compensation and Product Liability: The Interaction of a Tort and a Non-Tort Regime,
50. Ohio St.L.J. 825, 852 (1989) ("|T|he long-standing presence of exclusivity in [workers’ compensation] had a persuasive influence on the U.S. Supreme Court when, in
Feres v. United States,
the Court developed a comparable immunity doctrine for the United States government which immunized tire government from any liability for ‘injuries to servicemen when the injuries arise out of or in the course of activity incident to [military] service.’ ");
Cf. Johansen v. United States,
. Of course, even if Congress insisted, the courts could still refuse to act by holding the law unconstitutional. But this, presumably, would only occur in extreme cases — where Congress instructed the courts to do things that would truly derogate from the judiciary's constitutional mandate.
.
See, e.g., Stubbs v. United States,
. Justice Scalia excoriated the
Feres
doctrine from its "willful" beginning to its confused present state of development, and made clear that for him limiting
Feres
was only a first step toward the elimination of a doctrine he found flawed from start to finish.
See
. It would seem that the Eleventh Circuit came close to doing this in Elliott, given the similarity between facts in that case and those in Feres itself.
. The fact that the doctrine can be made workable does not suggest that the Supreme Court ought not abandon the doctrine completely for reasons akin to those given by Justice Scalia in his Johnson dissent.
. Like all such plans, exceptions to coverage do exist. See 38 C.F.R. § 3.1(m) (excluding coverage for injury or disease resulting from service-member's "willful misconduct,” or suffered during desertion, while confined under a sentence of court martial, or while confined under a sentence of a civilian court); see also 38 C.F.R. § 3.1(n)(l) (defining willful misconduct as involving deliberate or intentional wrongdoing *1045 with knowledge or wanton and reckless disregard for the probable consequences).
. Such suits would depend on the employers being liable for these non-work related injuries on some other grounds, like the tortious actions of another employee.
. The insurance scheme may, depending on how it is written and on state laws, either be subrogated to or take part of the tort action "by assignment,” so that the injured party does not recover twice, but only gets the benefit of the greater of the two sources of compensation — tort recovery or the benefit scheme. The exact same thing occurs in the
Brooks
line of cases as a result of judicial decisions.
See, e.g., Brown,
. This was not the case when
Feres
was first decided.
Cf. Feres,
. The
Feres
doctrine may also be subject to a similar "end-run.” Military personnel have sued manufacturers of equipment that have caused them injury in the course of their military employment.
See Stencel,
A compensation scheme such as the Veterans' Benefits Act serves a dual purpose: it not only provides a swift efficient remedy for the injured serviceman, but it also clothes the Government in the "protective mantle of the Act’s limitation-of-liability provisions.” ... Given the broad exposure of the Government, and the great variability in the potentially applicable tort law, ... the military compensation scheme provides an upper limit of liability for the Government as to service-connected injuries. To permit petitioner’s claim would circumvent this limitation, thereby frustrating one of the essential features of the Veterans’ Benefits Act. As we stated in a somewhat different context concerning the Tort Claims Act: “To permit [petitioner] to proceed ... here would be judicially to admit at the back door that which has been legislatively tinned away at the front door. We do not believe that the [Federal Tort Claims] Act permits such a result.
Of course, whether this in fact locks the "back door,” or instead simply prompts manufacturers to charge the government higher equipment prices across-the-board in order to spread the cost of their lost indemnification rights, is quite another matter.
. Either of these, incidentally, would suffice to explain the result in
Johnson.
For, as the Court noted, "[t]here is no dispute that Johnson’s injury arose directly out of the rescue mission, or that the mission was an activity incident to his military service.”
. If Shearer is correct, though, and impermissible judicial inquiry into military affairs was there involved, the question inevitably arises: What would happen if the victim in a Shearer-like situation were a civilian? Would that suit also have to be barred? The absence of any alternative non-tort recovery by that civilian plaintiff, however, would make such a result extremely harsh, and fortunately the clear language of the statute has precluded any such extension of Feres. See 28 U.S.C. §§ 1346(b), 2671.
. Where an employee of the Government injures servicemembers in a situation that is not related to their service (where the injury does not arise out of or in the course of the servicemem-bers’ service), the Government may well be liable on account of the injurer’s relation to thе government. Full tort damages are then charged to the *1050 injurer’s activity which may or may not be military (i.e., Brooks). Where a servicemember in the course of military service is injured by a non-servicemember government employee, there is a Feres bar, and the cost is to the military enterprise but only through the federal statutory compensation scheme (i.e., Johnson).
. Not surprisingly, this conclusion finds support in one of the California cases that informed our present holding regarding the Government's vicarious liability. As noted earlier, the court in
Childers
determined that Abbott — the tortfeasor — was acting within the scope of her employment when she became drunk on the job site, drove off with the plaintiff, and caused an automobile accident.
See
. The "scope of employment” under these standard workers' compensation laws is not to be confused with the far broader "line of duty” definition used to demarcate the extent of medical and other coverage generally afforded to military personnel. See 38 C.F.R. § 3.1(m). To guarantee uniformity in applying the Feres doctrine itself, we think that the appropriate workers' compensation definition of “scope of employment" for district courts to use is not some amalgam derived from state workers' compensation laws, but is, rather, the definition applied under the Federal Emplоyers Compensation Act. 5 U.S.C. § 8102 ("FECA").
FECA provides, in relevant part, that the United States shall compensate its employees (as defined by 5 U.S.C. § 8101), for personal injuries sustained "in the performance of his [or her] duty.”
Id.
at § 8102(a). In turn, courts have consistently read the phrase “in the performance of his [or her] duty” to mean, "arising out of or in the course of employment."
Chin v. United States,
. Feres’ own description of the Brooks case bears this out.
The injury to Brooks did not arise out of or in the course of military duty. Brooks was on furlough, driving along the highway, under compulsion of no orders or duty and on no military mission. A government owned and operated vehicle collided with him. Brooks’ father, riding in the same car, recovered for his injuries and the Government did not further contest the judgment but contended that there could be no liability to the sons, solely because they were in the Army. This Court rejected the contention, primarily because Brooks’ relationship while on leave was not analogous to that of a soldier injured while performing duties under orders.
Feres,
. Although in Bozeman we also mentioned certain aspects of the tortfeasor/Govemment relationship, see 780 F.2d at 202, it is important to note that Bozeman preceded Johnson — a decision that we have noted significantly diminished the relevance of the tortfeasor/Govemment relationship in any Feres analysis.
